岐阜造園

指標

自己資本比率
ネットキャッシュ比率
D/Eレシオ

負債・純資産の部

負債・純資産の部
利益剰余金
有利子負債・現金

資産の部

資産の部
流動資産
有形・無形固定資産
投資有価証券
のれん

貸借対照表

2016-09千円
2017-09千円
2018-09千円
2019-09千円
2020-09千円
2021-09千円
2022-09千円
2023-09千円
2024-09千円
2025-09千円
資産の部
流動資産
現金及び預金1,252,6591,702,3591,811,8571,693,2421,835,0452,038,9311,823,2201,888,6832,447,6322,631,424
受取手形・完成工事未収入金458,256564,940575,909593,202669,098617,872727,580907,031846,7581,110,267
未成工事支出金77,36170,03070,19375,01981,17273,96813,73413,60511,02214,182
販売用不動産----140,525172,490142,54395,19971,60742,241
その他118,73726,30529,97538,78945,15046,27950,31058,52563,89568,137
貸倒引当金-1,517-2,939-2,114-2,099-2,338-2,744-3,176-3,807-3,315-4,901
販売用不動産115,64844,503--------
繰延税金資産19,94820,24923,458-------
未収還付法人税等-13,461--------
流動資産合計2,041,0952,438,9102,509,2782,398,1552,768,6552,946,7972,754,2122,959,2393,437,6013,861,351
固定資産
有形固定資産
建物及び構築物(純額)136,487126,834117,392383,874438,945427,818505,873478,859461,328435,225
土地482,585480,954480,954530,853513,253509,114896,228886,172938,169938,169
その他(純額)7,71216,00114,60623,79021,37530,83830,82727,62623,03220,993
建設仮勘定--16,87728,845------
有形固定資産合計626,785623,790629,830967,363973,573967,7701,432,9291,392,6581,422,5301,394,388
無形固定資産1,8577,6248,36611,8539,9339,7419,3906,17814,42332,630
投資その他の資産
投資有価証券70,075152,354128,204110,92897,941136,300106,086148,177163,466223,146
繰延税金資産----34,50935,18636,94932,42963,10056,395
保険積立金68,91937,43753,76561,92484,53366,90183,600100,431123,446146,462
その他87,799138,672136,487125,904132,619111,94365,53067,58776,28068,676
貸倒引当金-10,839-10,839-10,839-10,839-10,839-10,839-10,839-10,839-6,719-6,719
繰延税金資産-9,74618,06732,771------
投資その他の資産合計215,955327,372325,685320,688338,765339,493281,328337,787419,575487,961
固定資産合計844,599958,787963,8821,299,9051,322,2721,317,0051,723,6481,736,6241,856,5291,914,981
資産合計2,885,6943,397,6973,473,1613,698,0614,090,9274,263,8034,477,8614,695,8635,294,1315,776,333
負債の部
流動負債
支払手形・工事未払金310,999300,678313,595334,660378,216373,127392,042392,783508,359566,668
短期借入金200,000200,000200,000200,000200,000200,000200,000200,000200,000200,000
1年内返済予定の長期借入金40,08040,08040,08040,08040,07620,07623,01213,33215,02026,664
未払法人税等78,08239,17048,06175,79644,74879,04085,00837,611107,202103,550
未成工事受入金108,69871,55161,46592,495102,872108,20160,12234,697103,04083,469
賞与引当金27,69225,55928,31226,33831,49934,22137,59240,13144,07044,963
完成工事補償引当金8,85411,0159,0418,2457,0957,2667,5749,44211,53015,555
その他99,417123,981129,718149,870157,422151,112179,618206,990230,474354,497
流動負債合計873,824812,035830,274927,486961,931973,045984,970934,9881,219,6981,395,368
固定負債
長期借入金134,80094,72054,64049,84053,10033,02418,3445,29011,65225,272
役員退職慰労引当金125,715131,068146,227147,688157,860169,896179,444195,535204,134169,118
退職給付に係る負債24,86827,54629,16529,19828,38826,16526,79933,04737,56041,632
その他1604,3413,0911,785475576160460460460
繰延税金負債9,4723,5512,795-------
固定負債合計295,016261,227235,920228,512239,823229,662224,747234,332253,806236,482
負債合計1,168,8411,073,2631,066,1951,155,9991,201,7541,202,7081,209,7181,169,3211,473,5051,631,851
純資産の部
株主資本
資本金61,100292,167292,167292,167396,417396,417396,417396,817412,032412,833
資本剰余金2,398233,465233,465233,465337,715337,715337,715338,116353,331354,132
利益剰余金1,640,9321,785,7611,887,3262,009,9362,158,6502,323,6772,522,7552,741,4073,001,4213,278,956
自己株式--10-117-243-243-243-243-243-282-282
株主資本合計1,704,4312,311,3832,412,8422,535,3262,892,5403,057,5673,256,6443,476,0983,766,5034,045,639
その他の包括利益累計額
その他有価証券評価差額金12,42113,050-5,8766,736-3,9142,1579,85348,82053,25198,010
その他の包括利益累計額合計12,42113,050-5,8766,736-3,9142,1579,85348,82053,25198,010
新株予約権----5471,3691,6431,624871831
純資産合計1,716,8532,324,4332,406,9662,542,0622,889,1733,061,0943,268,1423,526,5423,820,6254,144,481
負債純資産合計2,885,6943,397,6973,473,1613,698,0614,090,9274,263,8034,477,8614,695,8635,294,1315,776,333